Recent Annual Filings for SNPS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,073,561,000 $6,127,436,000 $4,613,578,000 $2,251,844,000 $1,407,029,000 $-181,297,000 $2,457,542,000
2023 $10,333,131,000 $5,842,619,000 $4,540,837,000 $1,255,988,000 $1,703,274,000 $-1,196,871,000 $21,323,000
2022 $9,418,087,000 $5,081,542,000 $3,966,028,000 $793,763,000 $1,738,900,000 $-1,116,300,000 $-15,319,000
2021 $8,752,260,000 $4,204,193,000 $3,398,679,000 $760,829,000 $1,492,622,000 $-748,748,000 $197,213,000
2020 $8,030,062,000 $3,685,281,000 $3,047,122,000 $701,820,000 $991,313,000 $-140,606,000 $507,443,000
2019 $6,405,160,000 $3,360,694,000 $2,815,188,000 $553,097,000 $800,513,000 $-561,892,000 $5,526,000
2018 $6,145,974,000 $3,121,058,000 $2,757,515,000 $385,320,000 $424,232,000 $5,138,000 $-325,241,000
2017 $5,396,414,000 $2,724,880,000 $2,341,782,000 $175,161,000 $634,565,000 $-373,120,000 $71,736,000